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Retail Credit Risk Management

BuchKartoniert, Paperback
236 Seiten
Englisch
Springer Palgrave Macmillanerschienen am01.01.20131st ed. 2013
Introducing the fundamentals of retail credit risk management, this book provides a broad and applied investigation of the related modeling theory and methods, and explores the interconnections of risk management, by focusing on retail and the constant reference to the implications of the financial crisis for credit risk management.mehr
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EUR162,50
BuchKartoniert, Paperback
EUR149,79

Produkt

KlappentextIntroducing the fundamentals of retail credit risk management, this book provides a broad and applied investigation of the related modeling theory and methods, and explores the interconnections of risk management, by focusing on retail and the constant reference to the implications of the financial crisis for credit risk management.
Details
ISBN/GTIN978-1-349-43507-4
ProduktartBuch
EinbandartKartoniert, Paperback
Erscheinungsjahr2013
Erscheinungsdatum01.01.2013
Auflage1st ed. 2013
Seiten236 Seiten
SpracheEnglisch
Gewicht327 g
IllustrationenXV, 236 p.
Artikel-Nr.38251514
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Inhalt/Kritik

Inhaltsverzeichnis
List of Tables List of Figures Notes on Contributors PART 1 REGULATORY FRAMEWORK Introduction;  Anolli, M., Beccalli, E. PART 2 RISK TAKING: MEASUREMENT, PRICING AND MANAGEMENT The Ever-evolving Basel Accord;  Guadalupi, D. Private Individuals: Credit Risk Modeling; Giannasca, C., Giordani, T. SMEs: Credit Risk Modeling;  Giovannini, E. The Critical Model Parameter: LGD;  Alghisi Manganello, E., Leucari, V. Model Validation;  Arfé, A., Gianturco, P. Risk Adjusted Performance Measures;  Anolli, M. PART 3 PORTFOLIO CREDIT RISK: MEASUREMENT AND MANAGEMENT Portfolio Credit Risk Modeling;  Bocchi, L., Bellini, T.  Stress Testing, Capital Planning, and Risk Integration;  Bellini, T, Bocchi, L. Portfolio Management;  Giordani, T., Giannasca, C. PART 4 OPERATIONAL IMPLICATION IT Systems for Credit Risk Management;  Traversini, R., Marmonti, A. A New Retail Credit Risk Management Approach to Cope with the Crisis;  Merlin, F.mehr

Autor

MARIO ANOLLI Università Cattolica del Sacro Cuore, Italy DAMIANO GUADALUPI Banca d'ItaliaCORRADO GIANNASCA Barclays Bank, Italy EMANUELE GIOVANNINI Unicredit Bank, ItalyELISA ALGHISI MANGANELLO UBI Banca and Barclays Bank VALENTINA LEUCARI Free-lance ConsultantANTONIO ARFE Deloitte Consulting PAOLO GIANTURCO Deloitte Consulting LORENZO BOCCHI Prometeia Group TIZIANO BELLINI Prometeia GroupRENZO TRAVERSINI SAS Institute srl, Italy ANSELMO MARMONTI SAS Institute srl, ItalyFRANCESCO MERLIN McKinsey & Co.